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Janus Global Opportunities Fund

 
Page Created: 2008-12-02 08:44:00-08
Fund Type: GLOBAL MULTI-CAP VALUE Report Date: 2008-09-29 Current Value: $69,121,310 Total Performance: -17.53 %
Family of: Janus Investment Fund
 
   
 

Janus Global Opportunities Fund
Highlights

Worst Move: Janus Global Opportunities Fund potentially lost $-72,562 on changes made with American International Group Inc (AIG) buying shares when price went down.
Best Move: Janus Global Opportunities Fund potentially made $559 on changes made with Unitedhealth Group Inc (UNH) buying shares when price went up.
Good Save: Janus Global Opportunities Fund potentially saved $931,913 on changes made with Tyco International Ltd (TYC) selling shares when price went down.
Missed Move: Janus Global Opportunities Fund potentially missed $-51,643 on changes made with Newalliance Bancshares Inc(NAL) selling shares when price went up.
 

Janus Global Opportunities Fund
Contact Information

151 Detroit Street, Denver Co 80206,,
Phone: 3033333863, Fax: , Website:

Janus Global Opportunities Fund
Symbols

JGVAX

Janus Global Opportunities Fund
Recent Source SEC Filings

2008-09-29 http://www.sec.gov/Archives/edgar/data/277751/0000277751-08-000009.txt
2008-06-27 http://www.sec.gov/Archives/edgar/data/277751/0001035704-08-000298.txt
 

Janus Global Opportunities Fund
Holding and Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
American International Group Inc (AIG) US AIG Multi-Line Insuran ... 148,085 $297,651 $-72,562 -19.60 % New Holding 148,085 100.00 $-72,562
Centex Corp (CTX) US CTX Bldg-Residential/C ... 91,165 $835,071 $-565,223 -40.36 % No Change - - -
Covidien Ltd (COV) BM COV Medical Products 67,868 $2,500,936 $-1,043,810 -29.44 % Sold Some -2,785 -3.94 $42,833
Dell Inc (DELL) US DELL Computers 455,715 $5,090,337 $-1,932,232 -27.51 % Sold Some -37,785 -7.65 $160,208
Esprit Holdings Ltd (ESHDF.PK) BM ESHDF.PK Apparel Manufactur ... 466,600 $2,076,370 $-1,329,810 -39.04 % No Change - - -
Expedia Inc (EXPEW) US EXPEW - 150,757 $4,523 $-13,568 -75.00 % Sold Some -81,915 -35.20 $7,372
Iacinteractivecorp (IACI) US IACI E-Commerce/Service ... 80,632 $1,192,547 $-5,644 -0.47 % No Change - - -
Jpmorgan Chase And Co (JPM) US JPM Finance-Invest Bnk ... 144,565 $4,576,928 $-1,350,237 -22.78 % No Change - - -
Kb Home (KBH) US KBH Bldg-Residential/C ... 165,675 $1,926,800 $-1,277,354 -39.86 % No Change - - -
Metro Ag (MTRAF.PK) CH MTRAF.PK Food-Retail 93,430 $2,510,464 $10,277 0.41 % No Change - - -
Newalliance Bancshares Inc (NAL) US NAL S And L/Thrifts-Ea ... 396,145 $5,458,878 $467,451 9.36 % Sold Some -43,765 -9.94 $-51,643
Next Inc (NXTI.PK) US NXTI.PK Advertising Servic ... 74,223 $4,453 $742 20.00 % No Change - - -
Nipponkoa Insurance Co Ltd (NPPKF.PK) JP NPPKF.PK Property/Casualty ... 857,000 $5,184,850 $-685,600 -11.67 % No Change - - -
Pasona Group Inc (2168.T) JP 2168.T Human Resources 4,809 $2,769,744 $-986,566 -26.26 % No Change - - -
Pulte Homes Inc (PHM) US PHM Bldg-Residential/C ... 289,205 $3,080,033 $-937,024 -23.32 % No Change - - -
Ryland Group Inc (RYL) US RYL Bldg-Residential/C ... 131,081 $2,224,445 $-1,102,391 -33.13 % No Change - - -
Syngenta Ag (SYT) CH SYT Agricultural Chemi ... None - - - % Sold All -4,663 -100.00 $25,507
Tenma Corp (TNMAF.PK) JP TNMAF.PK Rubber/Plastic Pro ... 260,700 $4,679,565 $0 0.00 % No Change - - -
Treehouse Foods Inc (THS) US THS Food-Canned 108,740 $2,586,925 $-517,602 -16.67 % Sold Some -106,500 -49.47 $506,940
Tyco Electronics Ltd (TEL) BM TEL Electronic Compo-M ... None - - - % Sold All -70,653 -100.00 $601,964
Tyco International Ltd (TYC) BM TYC Diversified Manufa ... None - - - % Sold All -70,653 -100.00 $931,913
Unitedhealth Group Inc (UNH) US UNH Medical-Hmo 158,060 $3,320,841 $1,581 0.04 % Added More 55,940 54.77 $559
Vodafone Group Plc (VOD) GB VOD Cellular Telecom 704,164 $13,787,531 $-1,204,120 -8.03 % No Change - - -
Willis Group Holdings Ltd (WSH) BM WSH Insurance Brokers 217,270 $5,012,419 $-2,157,491 -30.09 % Sold Some -17,030 -7.26 $169,108
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Listed 24 holdings.
 

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